Chart of accounts
Create and organize accounts with classifications, types, parent accounts, and balances.
Postseam Finance
Postseam brings accounts, account activity, invoices, and journal entries into the same operating system as the inventory and purchasing records your team already uses.
What your team can follow
Financial records have context
Move from an account to its transactions, open an invoice, or review the balanced entry and its lines from one financial workspace.
From handoff to answer
Give finance a cleaner starting point for review—without asking the rest of the business to reconcile another disconnected tracker.
Create the chart of accounts your organization needs and keep classifications and balances visible.
Capture invoices and entries with their line details rather than summarizing activity in a separate sheet.
Use account transactions and entry history to understand what changed and where it belongs.
Built for the details
Create and organize accounts with classifications, types, parent accounts, and balances.
Create and manage invoices and their line items in the same system as the operating records they support.
Record balanced entries and line details to keep financial activity structured and reviewable.
Review transactions for an account instead of pulling the context together from multiple exports.
Works better together
Procurement keeps the purchase and receipt behind spend visible. Inventory gives the financial team a clearer view of the material activity driving operations.
Bring your current workflow, the record your team keeps chasing, and the next handoff you want to make clearer.